Canada Pension Plan Investment Board »

Wells Fargo & Company shares owned by Canada Pension Plan Investment Board

Quarter-by-quarter ownership of Wells Fargo & Company (WFC) shares owned by Canada Pension Plan Investment Board from 13F filings

Historical chart of Canada Pension Plan Investment Board investment in Wells Fargo & Company

Tip: Access up to 7 years of quarterly data

All positions including Wells Fargo & Company held by Canada Pension Plan Investment Board consolidated in one spreadsheet with up to 7 years of data

Download as csvDownload consolidated filings csv Download as ExcelDownload consolidated filings xlsx

Quarterly reported holdings in Wells Fargo & Company by Canada Pension Plan Investment Board

Quarter filed Position value Share count Share price at filing
2023-09-30 $174M 4.3M 40.86
2023-06-30 $132M 3.1M 42.68
2023-03-31 $95M 2.6M 37.38
2022-12-31 $115M 2.8M 41.29
2022-09-30 $142M 3.5M 40.22
2022-06-30 $158M 4.0M 39.17
2022-03-31 $192M 4.0M 48.46
2021-12-31 $249M 5.2M 47.98
2021-09-30 $282M 6.1M 46.41
2021-06-30 $202M 4.5M 45.29
2021-03-31 $205M 5.3M 39.07
2020-12-31 $183M 6.1M 30.18
2020-09-30 $143M 6.1M 23.51
2020-06-30 $155M 6.1M 25.60
2020-03-31 $174M 6.1M 28.70
2019-12-31 $159M 3.0M 53.80
2019-09-30 $190M 3.8M 50.44
2019-06-30 $149M 3.1M 47.32
2019-03-31 $97M 2.0M 48.32
2018-12-31 $9.9M 215k 46.08
2018-09-30 $130M 2.5M 52.56
2018-06-30 $199M 3.6M 55.44
2018-03-31 $517M 9.9M 52.41
2017-12-31 $532M 8.8M 60.67
2017-09-30 $396M 7.2M 55.15
2017-06-30 $382M 6.9M 55.41
2017-03-31 $444M 8.0M 55.66
2016-12-31 $239M 4.3M 55.11
2016-09-30 $315M 7.1M 44.28
2016-06-30 $469M 9.9M 47.33
2016-03-31 $391M 8.1M 48.36
2015-12-31 $284M 5.2M 54.36
2015-09-30 $358M 7.0M 51.35
2015-06-30 $673M 12M 56.24
2015-03-31 $448M 8.2M 54.40
2014-12-31 $661M 12M 54.82
2014-09-30 $634M 12M 51.87
2014-06-30 $659M 13M 52.56
2014-03-31 $557M 11M 49.74
2013-12-31 $443M 9.7M 45.40
2013-09-30 $379M 9.2M 41.32
2013-06-30 $363M 8.8M 41.27
2013-03-31 $311M 8.4M 36.99
2012-12-31 $159M 4.6M 34.18
2011-03-31 $118M 3.7M 31.71
2010-12-31 $109M 3.5M 30.99